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Financial Reports

As a responsible steward of taxpayer dollars, RAD conducts its financial management with the utmost transparency and accountability. 

RAD's monthly financial snapshots and reports include sales tax revenue charts (which reflect sales from approximately two months prior), schedules of allocations paid, and administrative check registers. 

Our Financial Reports Archive contains past audits as well as annual budget books.

For questions pertaining to RAD's finances, contact RAD finance manager, Russell Buchman.

Click Here for RAD's 2026 Budget
Click Here for RAD's 2025 Budget Book

Revenue & Expenses

Financial Snapshot

May Sales Tax Revenue

$12,068,112

April Allocations Paid

$8,757,744

April Administrative Expenses

$115,732

Sales Tax Revenue - May 2026

Businesses remit their taxes on different schedules. Because of this, sales tax revenue doesn’t come in right away.

• Most larger businesses file monthly. Their payments for a given month aren’t due to the Pennsylvania Department of Revenue (PA DoR) until the 20th of the following month.

• Smaller businesses file quarterly.

• The smallest businesses file twice a year.

All payments go to PA DoR first. The county (RAD and municipalities) receives its 1% share only after the state processes those filings. Because of the different filing deadlines and the state’s processing time, the monthly sales‑tax distribution RAD receives reflects activity from several weeks earlier — and sometimes from prior quarters — rather than the month we’re currently in.

Allocations Paid - April 2026

Administrative Expenses - April 2026

2024 Annual Report

Tracking the impact of RAD on a year-by-year basis.

Read Our Latest Annual Report

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